Jorge Sobrón García

Risk Director at Twinco Capital

Jorge Sobrón García has been working in the financial sector since 2014. Jorge has held various roles including Financial Risk Analyst at Banco Santander, Head of Financial Risks at Santander Securities Services (S3) from 2019 to 2021, and currently serves as Risk Director at Twinco Capital since 2021. During their time at Banco Santander, they were responsible for the development and analysis of Regulatory and Management reports, coordination in the liquidity regulatory reporting, and implementation and control of the risks and limits assumed. As Financial Risk Analyst, they were responsible for the elaboration and analysis of interest and liquidity risks, the Liquidity Stress Test, and the Market Regulatory reports. During their internship at SCF HQ ALM Analyst, they were responsible for the analysis and management of liquidity and interest risks of local Units, as well as the supervision of the main metrics for IRR and LR.

Jorge Sobrón García is currently pursuing a Master's Executive Risk Management degree at Afi Escuela, which they began in 2021. Jorge previously obtained a Master's degree in Finanzas, general from the Universidad Complutense de Madrid in 2015-2016. Jorge also obtained a Grado in Economía from the same university in 2010-2015. In 2013-2014, they obtained a Master's degree in Environment and Resource Economics from the Norwegian University of Life Sciences (UMB).

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Timeline

  • Risk Director

    September, 2021 - present